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Oracle FLEXCUBE Direct Banking Release 12.0.1.0.0 Corporate Inquiries User Manual Part No. E52306-01
Transcript

Oracle FLEXCUBE Direct Banking

Release 12.0.1.0.0

Corporate Inquiries User Manual

Part No. E52306-01

Corporate Inquiries User Manual

Table of Contents

1. Transaction Host Integration Matrix ........................................................................................ 3

2. Introduction ................................................................................................................................ 4

3. Account Overview ..................................................................................................................... 5

4. Consolidated Position ............................................................................................................. 10

4.1. Current and savings accounts(Asset side) ........................................................................ 13

4.2. Term deposits (Asset Side) ................................................................................................ 15

4.3. Fixed Income Securities ..................................................................................................... 16

4.4. Shares ................................................................................................................................ 17

4.5. Options Long Positions ...................................................................................................... 18

4.6. Current and savings accounts(Liabilities side) ................................................................... 19

4.7. Loans(Liabilities Side) ........................................................................................................ 21

4.8. Options Short Positions ...................................................................................................... 23

4.9. Import LC (Trade Finance) ................................................................................................. 24

4.10. Export LC (Trade Finance) ............................................................................................... 25

4.11. Import Bills (Trade Finance) ............................................................................................. 26

4.12. Export Bills (Trade Finance) ............................................................................................. 27

4.13. Outward Guarantee (Trade Finance) ............................................................................... 28

5. Account Summary ................................................................................................................... 29

6. Account Details........................................................................................................................ 36

7. Account Statement .................................................................................................................. 40

8. Account Activity ...................................................................................................................... 45

9. Live Help ................................................................................................................................... 53

Transaction Host Integration Matrix

3

1. Transaction Host Integration Matrix

Legends

NH No Host Interface Required.

Host Interface to be developed separately.

Pre integrated Host interface available.

Pre integrated Host interface not available.

Transaction Name FLEXCUBE UBS Third Party Host System

Account Overview

Account Consolidated View

Account Summary

Account Details

Account Statement

Account Activity

Introduction

4

2. Introduction

The inquiries Module allows you view the consolidated details of the account like summary, details, account activity, etc.

Through Inquiries section you can view details of CASA accounts and 360 degree view through Account Overview, Consolidated Position and Account summary, .

Account Overview

5

3. Account Overview

The Account Overview option provides you to view the consolidated position of the CASA, deposit and loan accounts held with bank. You shall able to view the aggregated balances currency wise. The aggregated position shall be displayed only for the primary customer id mapped to the user.

Account Overview

Account Overview

Column Description

Column Name Description

Deposit Overview

Currency [Display]

This Column displays the base currency for the Deposit.

Product Name [Display]

This Column displays the product names for each of the Currencies.

Account Balance [Display]

This Column displays the Account balance for each of the Products

Account Overview

Column Name Description

Available Balance [Display]

This Column displays the Total Available Balance for each of the Products.

Loan Overview

Currency [Display]

This Column displays the base currency for the Loan.

Product Name [Display]

This Column displays the product names of the Loan for each of the Currencies.

Outstanding Balance

[Display]

This Column displays the Outstanding Balance for the Loan Product.

1. Click the Print / Download button to print / Download the Account Overview Details. The

system displays the File Download screen.

File Download

2. Click the Open button to open and view the file. The system displays the file.

OR

Click the Save button to save the file. The system displays the screen to save the file on

the machine.

OR

Click the Cancel button to close this screen

Save As

Account Overview

3. Click the Save Button. The file is saved at the stated location

OR

Click the Cancel button to cancel the saving of the file.

4. On clicking the Open button, the system displays the file in the selected format.

Account Overview

Consolidated Position

10

4. Consolidated Position

The Account consolidated view option provides you to view the consolidated position of the Assets and Liabilities with the Bank. CASA, deposit, loan accounts, Shares, Options, Trade deals are few assets and liabilities held with the Bank. You shall able to view the details of all assets and liabilities with the bank.

Consolidated View

1. Select the Customer Id from the list of customers.

2. Click the View button. The system displays the Consolidated View Detailed screen.

Consolidated Position

Consolidated View

Column Description

Column Name Description

Assets

Assets [Display]

This Column displays the account which are in asset side..

Currency [Display]

This Column displays the currency in which each of the assets belongs.

Consolidated Position

Column Name Description

Amount [Display]

This Column displays the amount for each of the asset.

% of assets [Display]

This Column displays the Total assets % wise.

Liabilities

Currency [Display]

This Column displays the currency in which each of the liabilities belongs.

Amount [Display]

This Column displays the amount for each of the liabilities.

% of liabilities [Display]

This Column displays the Total liabilities % wise.

Positions

Currency [Display]

This Column displays the currency in which the total position of asset and liability is displayed.

Amount [Display]

This Column displays the amount position for total asset and liability.

Graph This section displays the total position of asset and liability in the form of a graph.

Trade Finance

Trade finance [Display]

This Column displays the trade finance transactions.

Currency [Display]

This Column displays the currency in which trade finance transaction is carried out.

Amount [Display]

This Column displays the amount for which trade finance transaction is carried out.

3. Click the link on each of the asset and liability or trade finance option to view the further

details of the transaction.

Consolidated Position

4.1. Current and savings accounts(Asset side)

1. Click the current and savings account link on the asset side on the Consolidated view

screen. The system displays the Currenct and Savings summary screen.

Currenct and Savings Summary

Column Description

Column Name Description

Account Description

[Display]

This Column displays the account which are in asset side..

Currency [Display]

This Column displays the currency in which each of the assets belongs.

Current Balance [Display]

This Column displays the amount for each of the asset.

Equivalent Balance

[Display]

This Column displays the Total assets % wise.

2. Select the PDF format or Excel format from the dropdown list.

3. Click the download button to download the details.

4. Click the Print button to print the details.

5. Click the account description link to view the details of the account. The system displays

the Account Details screen.

6. Click the Back button to return to the previous screen.

Consolidated Position

Account Details

Field Description

Field Name Description

Select Account [optional, dropdown]

Select the account number form the dropdown list.

7. Select the account from the dropdown list to view the account details for any other

account.

8. Click the Submit button. The system displays the account details for a new account.

9. Click the Back button to return to the previous screen.

Consolidated Position

4.2. Term deposits (Asset Side)

1. Click the Term Deposits link on the asset side on the Consolidated view screen.. The

system displays the Term Deposits Summary screen.

Term Deposit summary

2. Select the Download format from the dropdown list.Click the download button to download

the screen.

3. Select the Print button to print the screen.

4. Click the Back button to return to the previous screen.

5. Click the Account description link. The system displays the Term deposit details

screen.

Term Deposit Details

6. Click the Back button to return to the previous screen.

Consolidated Position

4.3. Fixed Income Securities

1. Click the Fixed Income Securities link on the Consolidated view screen. The system

displays the Fixed income Securities summary screen.

Fixed Income Securities Summary

2. Click the Back button to return to the previous screen.

3. Click the Description link. The system displays the Fixed Income Securities Details

screen.

Fixed income securities details

4. Click the Back button to return to the previous screen.

Consolidated Position

4.4. Shares

1. Click the shares link on the Consolidated view screen. The system displays the Fixed

income Securities screen.

Shares Summary

2. Click the Back button to return to the previous screen.

3. Click the Description link. The system displays the Shares Details screen.

Shares details

4. Click the Back button to return to the previous screen.

Consolidated Position

4.5. Options Long Positions

1. Click the Options link on the Consolidated view screen. The system displays the Options

summary screen.

Options Summary

2. Click the Description link. The system displays the Options details screen.

OR

Click the Back button to return to the previous screen.

Options Details

3. Click the Back button to return to the previous screen.

Consolidated Position

4.6. Current and savings accounts(Liabilities side)

1. Click the current and savings account link on the liabilities side on the Consolidated view

screen. The system displays the Currenct and Savings summary screen.

Currenct and Savings Summary

Column Description

Column Name Description

Account Description

[Display]

This Column displays the account which are in asset side..

Currency [Display]

This Column displays the currency in which each of the assets belongs.

Current Balance [Display]

This Column displays the amount for each of the asset.

Equivalent Balance

[Display]

This Column displays the Total assets % wise.

2. Select the PDF format or Excel format from the dropdown list.

3. Click the download button to download the details.

4. Click the Print button to print the details.

5. Click the account description link to view the details of the account. The system displays

the Account Details screen.

OR

Click the Back button to return to the previous screen.

Consolidated Position

Account Details

Field Description

Field Name Description

Select Account [optional, dropdown]

Select the account number form the dropdown list.

6. Select the account from the dropdown list to view the account details for any other

account.

7. Click the Submit button. The system displays the account details for a new account.

8. Click the Back button to return to the previous screen.

Consolidated Position

4.7. Loans(Liabilities Side)

1. Click the Loans link on the liabilities side on the Consolidated view screen. The system

displays the Loans summary screen.

Loans summary

2. Select the Download format from the dropdown list.Click the download button to download

the screen.

3. Select the Print button to print the screen.

4. Click the Back button to return to the previous screen.

Consolidated Position

5. Click the Account description link. The system displays the Loan Account details

screen.

Loan Account Details

Consolidated Position

4.8. Options Short Positions

1. Click the Options link on the liabilities side on the Consolidated view screen. The system

displays the Options summary screen.

Options Summary

2. Click the Description link. The system displays the Options details screen.

OR

Click the Back button to return to the previous screen.

Options Details

3. Click the Back button to return to the previous screen.

Consolidated Position

4.9. Import LC (Trade Finance)

1. Click the Import LC link in Trade Finance on the Consolidated view screen. The system

displays the Import LC screen.

Import LC

2. Click the LC Number link. The system displays the View Import LC details screen.

OR

Click the Back button to return to the previous screen.

View import LC Details

3. Click the Back button to return to the previous screen.

4. For further details plz refer trade finance UM.

Consolidated Position

4.10. Export LC (Trade Finance)

1. Click the Export LC link in Trade Finance on the Consolidated view screen. The system

displays the Export LC screen.

Export LC

2. Click the LC Number link. The system displays the View Export LC details screen.

OR

Click the Back button to return to the previous screen.

View Export LC details

3. Click the Back button to return to the previous screen.

4. For further details plz refer trade finance UM.

Consolidated Position

4.11. Import Bills (Trade Finance)

1. Click the Import Bills link in Trade Finance on the Consolidated view screen. The system

displays the Import Bills screen.

Import Bills

2. Click the Bill Refernce Number link. The system displays the View Import Bills details

screen.

OR

Click the Back button to return to the previous screen.

View Import Bills Details

3. Click the Back button to return to the previous screen.

4. For further details plz refer trade finance UM.

Consolidated Position

4.12. Export Bills (Trade Finance)

1. Click the Export Bills link in Trade Finance on the Consolidated view screen. The system

displays the Export Bills screen.

Export Bills

2. Click the Bill Refernce Number link. The system displays the View Export Bills details

screen.

OR

Click the Back button to return to the previous screen.

View Export Bills Details

3. Click the Back button to return to the previous screen.

4. For further details plz refer trade finance UM.

Consolidated Position

4.13. Outward Guarantee (Trade Finance)

1. Click the Outward Guarantee link in Trade Finance on the Consolidated view screen. The

system displays the Outward Guarantee screen.

Outward Guarantee

2. Click the Outward Guarantee Number link. The system displays the View Outward

Guarantee details screen.

OR

Click the Back button to return to the previous screen.

View Outward Guarantee details

3. Click the Back button to return to the previous screen.

4. For further details plz refer trade finance UM.

Account Summary

29

5. Account Summary

This option allows you to view a summarized view of all your accounts and gives various details such as the account number, the description of the account, the base currency of the account, the current balance and the other currency equivalent of the current balance.

The option is a consolidated method of viewing all your accounts and its balances in one place. You can get a summary of your accounts maintained with the bank. The transaction is categorized into several sections. Each section lists a particular type of account, for example, Current and Savings accounts, Term Deposits, Contract Term Deposits and Loans are all listed as separate sections and the accounts you hold under each of these categories are sub-totaled separately. The grand total of all the balances is provided at the end of the screen.

The account summary also displays the investment details of the user, for example Investment category, current balances. Investment details will be displayed only if the customer id for private banking is mapped to the user.

Navigate through menus Accounts > Account Summary to access Account Summary.

Account Summary

Account Summary

Account Summary

Column Description

Column Name Description

Current And Savings Accounts, Islamic Current and Savings Account, Term Deposits, Islamic Term Deposits

Account Description

[Display]

Display the Accounts available under each Customer ID. Account information displayed is Account Number, Branch of the account, Product of the account.

Currency [Display]

Display the currency of the account.

Current Balance [Display]

Display the current balance of the account in account currency.

Equivalent Balance

[Display]

Display the equivalent amount of current Balance in selected currency.

Loan Accounts

Account Description

[Display]

Display the Accounts available under each Customer ID. Account information displayed is Account Number, Branch of the account, Product of the account.

Currency [Display]

Display the currency of the account.

Sanctioned Loan Amount

[Display]

Display the current Sanctioned amount of the Loan account

Equivalent Balance

[Display]

Display the equivalent amount of Sanctioned Amount in selected currency.

Islamic Financing Account

Account Description

[Display]

Display the Accounts available under each Customer ID. Account information displayed is Account Number, Branch of the account, Product of the account.

Currency [Display]

Display the currency of the account.

Account Summary

Column Name Description

Amount Financed [Display]

Display the Amount Financed for Islamic Financing Account.

Equivalent Balance

[Display]

Display the equivalent amount of Financed Amount in selected currency.

Debit Cards

Card Details [Display]

Display the Debit Card Number.

Name on the Card [Display]

Display the Name of the Card.

Account Number [Display]

Display CASA account Number to which the debit card is linked.

Credit Cards

Card Details [Display]

Display the Credit Card Number and Card Type.

Credit Limit [Display]

Display the Credit Limit assigned to the card.

Cash Limit [Display]

Display the Cash limit assigned to the card.

Amount Utilised [Display]

Display utilized credit limit amount.

Available Limit [Display]

Display available credit limit for utilization.

Expiry Date [Display]

Display Card expiry date.

Card Currency [Display]

Display Card Currency.

Current Outstanding Balance

[Display]

Display Current outstanding balance for the card.

Credit Card Statement

[Link]

Display the link to view the Credit card statement.

Account Summary

Column Name Description

Investment

Allocation [Display]

Display the investment product.

Currency [Display]

Display the currency of the investment product.

Current Balance [Display]

Display the current Value of the investment product.

Equivalent Balance

[Display]

Display the current value of the investment product in the Currency selected for calculating equivalent balance.

Customer wise break up

Column Description

Column Name Description

Total Portfolio Amount

[Display]

This column displays the total portfolio amount.

Show Customer wise Breakup

[Optional, Checkbox]

Click the checkbox to view customer wise breakup of the accounts.

Account Summary

Column Name Description

View Equivalent Balance in Currency

[Mandatory, Drop-Down]

Select the appropriate currency from the drop-down list in which you want to view your current balances.

Customer ID [Display]

This column displays the customer id of the account.

Amount [Display]

This column displays the Total amount in which the amount exists..

Distribution [Display]

This column displays the amount in the graphical format.

Account Number [Display]

This column displays the account number. These are the account numbers that have been registered for internet banking.

Description [Display]

This column displays the descriptive name of the account.

Currency [Display]

This column displays the primary currency (base currency) in which funds are credited/ debited in this account.

Current Balance [Display]

This column displays the current balance of the account. This balance does not include un-cleared funds stuck in clearing or unutilized overdraft amounts.

Equivalent Balance

[Display]

This column displays the current ledger balance in the currency selected for calculating the equivalent balance.

1. For viewing the Equivalent Balance in any currency select the currency and Click on the

Go button. The system will display all your current balances based on the selected

currency and display the same under the <<Currency>> Equivalent column.

2. Click the left side menu icons to view the account details, Account summary, Ad-hoc

account statement and account activity in case of CASA and Islamic CASA Accounts

Or

Click the left side menu icons to view the Deposit details, Amend Term Deposit, Redeem

Term Deposit, Term Deposit activity in case of Term Deposit and Islamic Term Deposit

Accounts

Or

Click the left side menu icons to view the Contract Deposit details, in case of Contract

Term Deposits

Or

Account Summary

Click the left side menu icons to view the Loan details, Loan Schedule, Loan Repayment

inquiry, Loan Settlement, Loan Activity in case of Loan Accounts

Or

Click the left side menu icons to view the Financing details, Financing Schedule, Financing

Repayment inquiry, Financing Settlement, Financing Activity in case of Islamic Financing

account.

3. Click on the View stamen link for viewing respective credit card statement.

4. Click on the edit icon next to the account number to edit or assign the nick name to

the account.

5. Click on the Set Favorite accounts link to set the Favourite accounts.

Account Details

36

6. Account Details

The Account Details option provides the user to view important details of a selected Current or Savings account. The account details can be viewed separately for each of the CASA accounts under the various customer IDs mapped to the user.

Navigate through menus, Accounts > Savings and Current Accounts > Account Details to access Account Details.

Account Details

Field Description

Field Name Description

Select Account [Mandatory, Drop-Down]

Select the account number from the drop-down list for which the details are to be displayed.

1. Click the Submit button. The system displays the Account Details screen with the

account details.

Account Details

Account Details

Field Description

Field Name Description

Account Details

Name [Display]

This field displays the name of the account holder.

Opening Date [Display]

This field displays the account opening date.

Account Number [Display]

This field displays the account number of the customer.

Account Type [Display]

This field displays the account type. The account type can be Current, Savings, Term Deposit and Loans.

Account Relationship [Display]

This field displays the account relationship of an account holder with the account. The relationship can be sole owner, joint holder, and so on.

Account Details

Field Name Description

Account Status [Display]

This field displays the account status of the account.

Branch [Display]

This field displays the bank branch number in which the account is getting operated.

Product Name [Display]

This field displays the product name under which the account is opened.

Account Currency [Display]

This field displays the base currency of an account.

Facilities

Cheque Book [Display]

This field displays whether the cheque book facility is provided to an account holder or not. If the facility is provided, then it displays "Yes", else "No".

Overdraft Allowed [Display]

This field displays whether the overdraft facility is provided to the account holder or not. If the facility is provided, then it displays "Yes", else "No".

Balances

Current Balance [Display]

This field displays the current balance in the account.

Amount on Hold [Display]

This field displays the earmarked amount or the amount on hold in the account.

Un cleared Funds [Display]

This field displays the uncleared funds pertaining to the cheques and the clearing related to the account.

Overdraft Limit [Display]

This field displays the overdraft amount limit available for the account.

Balance Available [Display]

This field displays the available balance in the account.

Account Details

Field Name Description

Minimum Balance Required

[Display]

This field displays the minimum balance to be maintained in the account.

Net Available Balance for withdrawal

[Display]

This field displays the maximum current balance a customer can withdraw from the account.

Others

ATM Daily Withdrawal Limit

[Display]

This field displays the maximum amount that the account holder can withdraw per day.

Eligible Advance against Un cleared funds limit

[Display]

This field displays the amount of eligible advance against the un cleared funds.

2. Click the Account Activity button to view the account activity details (transaction history).

The system displays the Account Activity for current period screen. For more information,

refer to Transaction History/Account Activity transaction in this user manual.

Account Statement

40

7. Account Statement

The Account Statement option allows you to view the account statements of any account under the customer IDs mapped to you. You can view the list of statements of individual accounts by clicking the account number link. You can also view the details of the individual statement numbers by clicking the statement number link.

Navigate through menus, Accounts > Savings and Current Accounts > Account statement to access Account Statement.

Account Statement

Account Statement

Field Description

Field Name Description

Choice of accounts

[Conditional, Dropdown]

Select the type of accounts for account statement download.

The options are

All

Favorites

This field is activated if at least one account is selected as a favorite account.

Current and Savings

Account Number [Display]

This column displays the account numbers under a particular customer ID.

Click the desired account number link to view the corresponding account statements.

Description [Display]

This column displays the brief description of the account.

Currency [Display]

This column displays the base currency of the account.

Account Statement

Field Name Description

Current Balance [Display]

This column displays the current balance of the account in the base currency.

1. Click the required link in the Account Number column to view the corresponding account

statements. The system displays the Account Statement screen.

Account Statement

Field Description

Field Name Description

Account Details

Account Number [Display]

This field displays the account number for which the account statements are displayed.

Account Type [Display]

This field displays the account type.

Statement Number [Display]

This column displays the account statement number associated with the selected account.

Date From [Display]

This column displays the start date of the account statement.

End Date [Display]

This column displays the end date of the account statement.

2. Click the required link in the Statement Number column to view the individual account

statement details. The system displays the Account Statement screen.

OR

Click the Back button. The system displays the previous screen.

Account Statement

Account Statement

3. Click the PDF Format button to download the statement in the PDF format

OR

Click the HTML format button to download the statement in the HTML format

OR

Click the OK button. The system displays the initial Account Statement screen

File Download

4. Click the Open button the system downloads the statement in the selected format

OR

Click the Save button. The system saves the file in the selected location

OR

Click the Cancel button to cancel the File Download.

Account Statement

Save As

5. Click the Save button to save the file in the desired location.

OR

Click the Cancel button to cancel the download.

45

8. Account Activity

The Account Activity option allows you to view and download the account activity for any CASA account under the customer IDs mapped. You can get the transaction details based on different transaction dates, by specifying the amount range and sorting on the transaction date, value date and the amount.

Navigate through menus, Accounts > Savings and Current Accounts > Account Activity to access Account Details.

Account Activity

Field Description

Field Name Description

Account Activity

Field Name Description

Select Account [Mandatory, Drop-Down]

Select the account from the drop-down list. It displays the CASA account and the customer IDs under it.

Search By [Mandatory, Drop-Down]

Select the search criteria from the drop-down list.

The options are:

Current Period

Today’s transaction’s

Previous fortnight

Previous Period

Specified Period

Last “n” days

Last “n” transactions

Previous Month

Previous quarter

Previous six months

Yesterdays transactions

No of transactions/ No of Days

[Conditional, Numeric, 15]

Type the number of days or no of Transaction as per the selection done in the Search By field.

This field is enabled and displayed only when the number of days or no of Transaction is selected in the Search by field.

Transaction Type [Mandatory, Drop-Down]

Select the transaction type from the drop-down list.

The options are:

Both Debits And Credits

Only Debits

Only Credits

Debit Card transactions

From Date [Conditional, Pick List]

Select the from date from the pick list. It is the start date for displaying the transaction history.

This field is enabled, only if you select Specified Period from the Search By drop-down list.

Account Activity

Field Name Description

To Date [Conditional, Pick List]

Select the to date from the pick list. It is the end date for displaying the transaction history.

This field is enabled, only if you select Specified Period from the Search By drop-down list.

From Amount [Optional, Numeric, 10]

Type the from amount in this field.

To Amount [Optional, Numeric, 10]

Type the to amount in this field.

Sort By [Mandatory, Drop-Down]

Select the sort by order from the drop-down list.

The options are:

Transaction Date

Amount

Value Date

Sort Order [Mandatory, Drop-Down]

Select the sort order from the drop-down list.

The options are:

Ascending

Descending

1. Click the Submit button. The system displays the Account Activity screen with the

transaction details.

Account Activity

Account Activity

Column Description

Column Name Description

Account Number [Display]

This column displays the account number for which the account activities are displayed.

Account Currency [Display]

This column displays the base currency of the account.

Opening Balance [Display]

This column displays the opening balance of an account prior to the latest transaction.

Closing Balance [Display]

This column displays the closing balance of an account prior to the latest transaction.

Account Activity

Column Name Description

Pages [Display]

This section displays the different page links that can be used to navigate to the desired set of records in the transaction list.

Click the desired page link. For example, click 2 to view the transactions on the second page of the list, or click Last Page to view the transactions on the last page of the list.

Transaction Date [Display]

This column displays the date on which the transaction was processed.

Value Date [Display]

This column displays the value date of the transaction.

Reference [Display]

This column displays the reference number for the transaction.

Description [Display]

This column displays the brief description of the transaction.

Debit [Display]

This column displays the debit amount of the transaction.

Credit [Display]

This column displays the credit amount of the transaction.

Balance [Display]

This column displays the balance amount remaining after the transaction. This column is displayed only in the case of Periodic Search and Value dated Sorting.

Select Download Format

[Mandatory, Drop-Down]

Select the download format from the drop-down list. It is the format in which the file is downloaded.

The options are:

Excel Format

PDF Format

QIF Format

QFX format

MT940 format

Note: MT940 Format is not the MT940 messages generated for the account but the activity downloaded as per the Format of MT 940.

2. Select the required download format, and click the Download button to download the file.

The system displays the File Download dialog box.

Account Activity

File Download

3. Click the Save button to save the file. The system displays the Save As dialog box.

OR

Click the Open button to open the file. The system displays the file in the desired format.

Account Activity

Save As

4. Navigate to the desired location where you want to save the file, and click the Save button.

The system displays the Download complete dialog box when the download is complete.

Download complete

Account Activity

5. Click the Open button to view the downloaded file. The system displays the downloaded

file in the selected format.

OR

Click the Open Folder button to open the folder where the file is downloaded. The system

opens the folder.

Live Help

9. Live Help

Using this option, you can chat or request for a call by the Oracle ATG agents for online

assistance.

This feature provides the options to the business users to interact with bank officials / call centre

executives.

1. Below is shown for Open Term Deposit transaction. This option will be available for various

transactions.

Live Help

Open Term Deposit

2. In the above screen, move the mouse at the right side middle section of the screen, as

encircled above. It will open a small widget/window showing the option to call, as shown in

below screen.

3. You can chat with the agent by clicking Click to Chat option

OR

You can interact with an agent on call, by clicking Call Me option. It will direct a call to an

Agent, which then will direct the agent to call you.

4. Below window is shown, when Call Me option is clicked.

Live Help

5. Select the Country

6. Enter your number. Click the Talk By Phone button. You will receive a call.

7. You can also interact on computer by clicking Talk By PC option

Live Help

Oracle FLEXCUBE Direct Banking

Corporate Inquiries User Manual

October 2012

Version Number: 12.0.1.0.0

Oracle Financial Services Software Limited

Oracle Park

Off Western Express Highway

Goregaon (East)

Mumbai, Maharashtra 400 063

India

Worldwide Inquiries:

Phone: +91 22 6718 3000

Fax:+91 22 6718 3001

www.oracle.com/financialservices/

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Oracle and Java are registered trademarks of Oracle and/or its affiliates. Other names may be trademarks of their respective owners.

U.S. GOVERNMENT END USERS: Oracle programs, including any operating system, integrated software, any programs installed on the hardware, and/or documentation, delivered to U.S. Government end users are “commercial computer software” pursuant to the applicable Federal Acquisition Regulation and agency-specific supplemental regulations. As such, use, duplication, disclosure, modification, and adaptation of the programs, including any operating system, integrated software, any programs installed on the hardware, and/or documentation, shall be subject to license terms and license restrictions applicable to the programs. No other rights are granted to the U.S. Government.

This software or hardware is developed for general use in a variety of information management applications. It is not developed or intended for use in any inherently dangerous applications, including applications that may create a risk of personal injury. If you use this software or hardware in dangerous applications, then you shall be responsible to take all appropriate failsafe, backup, redundancy, and other measures to ensure its safe use. Oracle Corporation and its affiliates disclaim any liability for any damages caused by use of this software or hardware in dangerous applications.

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